STEVEN MADDEN, LTD. - Common Shares (SHOO)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SHOO on Nasdaq
CUSIP
556269108
Type / Class
Equity / Common Shares
Shares outstanding
72.8M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
84.3M
Holdings value
$2.82B
% of all portfolios
0.003%
Grand Portfolio weight change
+0%
Number of holders
251
Number of buys
123
Number of sells
-137
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of STEVEN MADDEN, LTD. - Common Shares (SHOO)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 14.9% -7.5% $229M -$17.6M 10.8M -7.15% BlackRock, Inc. Mar 31, 2025
FMR LLC 13.2% +28% $320M $68.4M 9.56M +27.2% FMR LLC Sep 30, 2025
MACQUARIE GROUP LTD 4.56% -13.4% $111M -$15.6M 3.32M -12.3% Macquarie Group Limited Sep 30, 2025
WELLINGTON MANAGEMENT GROUP LLP 4% $67.2M 2.92M Wellington Management Group LLP Jun 30, 2025

Institutional Holders of STEVEN MADDEN, LTD. - Common Shares (SHOO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 84.3M $2.82B +$210M $33.48 251
2025 Q2 78.7M $1.89B +$73M $23.98 262
2025 Q1 75.3M $2.01B +$20.7M $26.64 274
2024 Q4 73.2M $3.11B +$57.5M $42.52 285
2024 Q3 71.5M $3.5B -$32.7M $48.99 273
2024 Q2 71.7M $3.03B -$34.8M $42.30 255
2024 Q1 72.6M $3.07B -$200M $42.28 250
2023 Q4 185K $7.77M -$389K $42.00 1
2023 Q3 76.1M $2.42B +$14M $31.77 219
2023 Q2 76.6M $2.5B -$3.71M $32.69 227
2023 Q1 75.5M $2.72B +$65M $36.00 223
2022 Q4 74.1M $2.37B +$5.38M $31.96 226
2022 Q3 70M $1.87B -$66.1M $26.67 228
2022 Q2 73.5M $2.36B -$6.43M $32.21 226
2022 Q1 73.4M $2.84B -$60.7M $38.64 234
2021 Q4 74.7M $3.47B -$103M $46.47 255
2021 Q3 77M $3.09B -$13.9M $40.16 227
2021 Q2 76.6M $3.35B +$34.9M $43.76 216
2021 Q1 76.7M $2.86B -$34.4M $37.26 203
2020 Q4 77.1M $2.72B +$52.1M $35.32 185
2020 Q3 75.5M $1.47B -$25M $19.50 178
2020 Q2 78.4M $1.93B +$30.9M $24.69 195
2020 Q1 76.9M $1.78B -$83.3M $23.23 202
2019 Q4 78.8M $3.39B -$189M $43.01 245
2019 Q3 83.8M $3B +$58.2M $35.79 225
2019 Q2 82.8M $2.81B +$57.5M $33.95 219
2019 Q1 83.6M $2.83B -$51.7M $33.84 230
2018 Q4 84.2M $2.55B +$812M $30.26 231
2018 Q3 56.2M $2.97B -$20.2M $52.90 228
2018 Q2 57M $3.02B +$79.8M $53.10 229
2018 Q1 56.6M $2.48B +$18.7M $43.90 235
2017 Q4 55.9M $2.61B -$45.4M $46.70 221
2017 Q3 55.8M $2.42B +$47.6M $43.30 216
2017 Q2 53.6M $2.14B +$11.4M $39.95 203
2017 Q1 54.6M $2.1B +$210M $38.55 194
2016 Q4 55.4M $1.98B -$57.4M $35.75 196
2016 Q3 55M $1.9B +$10.7M $34.56 162
2016 Q2 57.6M $1.97B -$66.9M $34.18 175
2016 Q1 60M $2.22B -$8.22M $37.04 183
2015 Q4 59.6M $1.8B -$43.5M $30.22 180
2015 Q3 61.2M $2.24B +$111M $36.62 203
2015 Q2 57.3M $2.45B +$36.9M $42.78 198
2015 Q1 56.1M $2.13B +$71.2M $38.00 192
2014 Q4 56M $1.78B -$47.9M $31.83 203
2014 Q3 57.3M $1.85B +$3.83M $32.23 198
2014 Q2 56.5M $1.94B -$9.71M $34.30 201
2014 Q1 57.3M $2.06B -$3.76M $35.98 200